Question1. What is historic risk of the different financial assets of U.S. economy and what can we do with historic risk premium?
Question2. What is the consequence of the inflation on our financial assets?
Question3. Is Risk Premium on our credit cards justifiable?
Question4. What is the different between risk and uncertainty?
Question5. What portfolios are optimal and how globalization has influenced them?
Question6. Is the beta an essential measure to find out the correct return of the financial asset?
Question7. What is the dissimilarity between Systematic and Systemic risk and how can be eliminated?